SLD 0.42 ▲0.00% MBG 0.21 ▲0.00% FDC 3.93 ▼-0.76% LF1 1.87 ▼-2.12% LGF 2.38 ▲0.86% DN1 98.00 ▼-0.17% WMX 1.58 ▼-2.46% RG8 2.52 ▲0.40% CTS 0.89 ▲2.89% TET 0.42 ▲1.20% MRE 1.68 ▲0.00% BST 0.27 ▲3.85% EFR 0.01 ▲0.00% RIV 1.20 ▼-0.42% KIT 1.80 ▲0.56% EMUCA 0.89 RF1 3.38 ▲0.00% AIX 9.00 ▲0.22% SLD 0.42 ▲0.00% MBG 0.21 ▲0.00% FDC 3.93 ▼-0.76% LF1 1.87 ▼-2.12% LGF 2.38 ▲0.86% DN1 98.00 ▼-0.17% WMX 1.58 ▼-2.46% RG8 2.52 ▲0.40% CTS 0.89 ▲2.89% TET 0.42 ▲1.20% MRE 1.68 ▲0.00% BST 0.27 ▲3.85% EFR 0.01 ▲0.00% RIV 1.20 ▼-0.42% KIT 1.80 ▲0.56% EMUCA 0.89 RF1 3.38 ▲0.00% AIX 9.00 ▲0.22%

APA APA Group

Utilities · Utilities - Regulated Gas · website
$10.67
52wk 8.45 – 11.10
Overall
35.9
Value
20.4
Growth
37.3
Health
9.1
Quality
55.7
Momentum
72.6
Dividend
32.6
Price
About APA Group

APA Group engages in the energy infrastructure business in Australia. The company operates through Energy Infrastructure, Asset Management, and Energy Investments segments. It provides natural gas transmission, gas processing, compression and storage, electricity transmission, energy connectivity, gas-fired power generation, solar farms, wind farms, renewable energy generation, battery energy storage, microgrid and bundled energy system services. The company offers high-pressure gas transmission pipelines and interconnected gas grids, electricity interconnectors, renewable energy assets, battery storage systems, and energy infrastructure asset management services. In addition, it engages in electricity generation. Further, the company has interests in approximately 15,000 kilometers of gas transmission pipelines; and approximately 800 kilometers high-voltage electricity transmission, including 290 kilometers deep-sea cable. The company was incorporated in 2007 and is headquartered in Sydney, Australia.

Commodity exposure

Primary exposure: Natural Gas (detected from the company profile: natural gas)

Natural Gas primary
2.92 USD/MMBtu
1m: -1.4% · 1y: -15.3%
Price analytics

Returns

1 day 0.8%
1 week 0.4%
1 month -2.6%
3 months 8.4%
6 months 9.2%
1 year 18.6%
3 years 32.2%

Risk

Volatility (1y ann.) 16.5%
Beta vs ASX 200 0.02
Sharpe (1y) 0.88
VaR 95% (1-day) -1.8%
Max drawdown (1y) -9.5%
Off 1-year high -2.9%

Technicals

RSI(14) 41
vs 50DMA 1.3%
vs 200DMA 7.7%
Trend Golden cross
Fundamental trends
Financial statements
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Scoring breakdown (2 Oct 2026)
Value 20.4
Trailing P/E
0
Forward P/E
0
PEG ratio
0
EV / EBITDA
44
Price / Book
38
Price / Sales
57
Growth 37.3
Revenue growth (1y)
14
Revenue CAGR (3y)
28
EPS growth (1y)
100
EPS CAGR (3y)
0
Financial Health 9.1
Net debt / EBITDA
0
Interest coverage (EBIT/interest)
8
Current ratio
33
Debt / Equity
0
Quality (Profitability & Cash Flow) 55.7
Return on equity
44
Return on assets
33
Operating margin
100
Net margin
46
Cash conversion (OCF / net income)
—
Dividend / Income 32.6
Dividend yield (%)
91
Payout ratio
0
FCF dividend cover
0
Momentum 72.6
6-month return vs ASX 200
73
Price vs 200-day average
76
Price vs 50-day average
56
Position in 52-week range
84

Hover a row's info icon for the exact rule. Bounds and weights are configurable in the Django admin (Scoring configuration).

Score history
Key metrics
Market cap
$14.22B
P/E (trailing)
66.69
P/E (forward)
39.60
EPS (trailing)
0.16
Dividend yield
5.4%
Payout ratio
368.5%
Beta
0.28
EV / EBITDA
12.93
Price / Book
5.23
ROE
8.7%
Operating margin
37.2%
Net margin
6.9%
Total cash
$1.65B
Total debt
$14.19B
Current ratio
1.36
Debt / Equity
5.26
Free cash flow
$135.75M
Avg volume
2.61M
Latest annual results (FY ending 30 Jun 2026)
  • Revenue$3.02B
  • Gross profit$3.02B
  • Operating income$1.16B
  • Net income$207.00M
  • Diluted EPS0.16
  • Free cash flow$407.00M
  • Net debt$12.52B
Sector peers (Utilities)
TickerMkt cap P/EScore
ORG $18.78B 12.0 49.5
MEZ $11.63B 109.8 33.3
MCY $7.92B 30.9 51.3
CEN $7.28B 20.0 53.8
AGL $5.48B 7.3 48.1
GNE $2.66B 33.8 40.3
EWC $281.30M — 41.0
FHE $255.89M — 40.4